Optional Redemption Without a Make-Whole Premium. On and after June 27, 2026, the Company or the Guarantor may, at its option, redeem all of the Notes at any time or part of the Notes from time to time at the following Redemption Prices (expressed as a percentage of principal amount), plus accrued and unpaid interest to, but excluding, the Redemption Date (subject to the right of Holders on the relevant Regular Record Date to receive interest due on the relevant Interest Payment Date), if redeemed during the twelve-month period commencing on June 27 of the years set forth below: 2026 103.750% 2027 101.875% 2028 100.938% 2029 and thereafter 100.000% Section 3.04Section 3.03
Appears in 1 contract
Samples: Indenture (Cosan S.A.)
Optional Redemption Without a Make-Whole Premium. On and after June 27March 14, 20262018, the Company or the Guarantor may, at its optionoption or the Guarantor's, redeem all of the Notes at any time or part of the Notes from time to time at the following Redemption Prices (expressed as a percentage of principal amount), plus accrued and unpaid interest to, but excluding, the Redemption Date (subject to the right of Holders of the Notes on the relevant Regular Record Date to receive interest due on the relevant Interest Payment Date), if redeemed during the twelve-month period commencing on June 27 March 14 of the years set forth below: 2026 103.7502018 102.500% 2027 101.8752019 101.666% 2028 100.9382020 100.833% 2029 2021 and thereafter 100.000% Section 3.04Section 3.03%
Appears in 1 contract
Samples: Indenture (Cosan Ltd.)
Optional Redemption Without a Make-Whole Premium. On and after June 27, 20262027, the Company or the Guarantor may, at its option, redeem all of the Notes at any time or part of the Notes from time to time at the following Redemption Prices (expressed as a percentage of principal amount), plus accrued and unpaid interest to, but excluding, the Redemption Date (subject to the right of Holders on the relevant Regular Record Date to receive interest due on the relevant Interest Payment Date), if redeemed during the twelve-month period commencing on June 27 of the years set forth below: 2026 103.750% 2027 101.875103.625% 2028 100.938101.813% 2029 100.906% 2030 and thereafter 100.000% Section 3.04Section 3.033.04
Appears in 1 contract
Samples: Indenture (Cosan S.A.)
Optional Redemption Without a Make-Whole Premium. On and after June 27September 20, 20262024, the Company or the Guarantor may, at its option, redeem all of the Notes at any time or part of the Notes from time to time at the following Redemption Prices (expressed as a percentage of principal amount), plus accrued and unpaid interest to, but excluding, the Redemption Date (subject to the right of Holders on the relevant Regular Record Date to receive interest due on the relevant Interest Payment Date), if redeemed during the twelve-month period commencing on June 27 September 20 of the years set forth below: 2024 102.750 % 2025 101.833 % 2026 103.750100.917 % 2027 101.875% 2028 100.938% 2029 and thereafter 100.000% Section 3.04Section 3.03100.000 %
Appears in 1 contract
Samples: Indenture (Cosan Ltd.)
Optional Redemption Without a Make-Whole Premium. On and after June 27February 1, 20262021, the Company or the Guarantor may, at its option, redeem all of the Notes at any time or part of the Notes from time to time at the following Redemption Prices (expressed as a percentage of principal amountamount set forth below), plus accrued and unpaid interest to, but excluding, the Redemption Date (subject to the right of Holders on the relevant Regular Record Date to receive interest due on the relevant Interest Payment Date), if redeemed during the twelve-month period commencing on June 27 February 1 of the years set forth below: 2026 103.7502021 102.688 % 2027 101.875% 2028 100.938% 2029 and thereafter 100.000% Section 3.04Section 3.032022 101.344 %
Appears in 1 contract
Samples: Indenture (Natura &Co Holding S.A.)